ENRA Group Berhad Annual Report 2019

117 ENRA GROUP BERHAD ∞ Annual Report 2019 page Notes to the Financial Statement 31 March 2019 26. TERM LOANS (cont’d) (a) Term loan I, II, III and IV are fully settled during the financial year. (b) Term loan V is repayable by a full amount of GBP1,820,000 by the end of the twelfth (12th) month of the term commencement from 23 March 2019. (c) In previous financial year, the term loans were secured by the following: (i) a charge over the carrying amounts of the Group’s and of the Company’s assets held for sale amounting to RM85,156,000 and RM85,575,000 respectively, as disclosed in Note 17 to the financial statements; (ii) a chargeover the carryingamount of theGroup’s property held for sale in London amounting toRM51,976,000 as disclosed in Note 12 to the financial statements; and (iii) first/third party pledge of fixed deposits equivalent to three (3) months’ interest servicing on the facilities (Note 16). (d) Information on financial risks of term loans and the remaining maturities is disclosed in Note 42 to the financial statements. 27. OTHER BORROWINGS (a) The other borrowings relates to trade and working capital credit facilities of the Group that are secured by: (i) a corporate guarantee from the Company as disclosed in Note 38 to the financial statements; (ii) fresh negative pledge; and (iii) pledge of fixed deposits (Note 16). (b) Information on financial risks of other borrowings and their remaining maturities is disclosed in Note 42 to the financial statements. 28. REVENUE Group Company Continuing operations 2019 RM’000 2018 RM’000 2019 RM’000 2018 RM’000 Revenue from contracts with customers Sale of goods 101,929 43,210 - - Property development revenue - 16,835 - - Sale of completed properties 2,891 - 2,891 - Contract revenue 3,260 11,732 - - Services rendered: - logistic 1,266 2,358 - - - energy 23,712 1,151 - - 133,058 75,286 2,891 - Revenue from leases Leasing 31,648 - - - 164,706 75,286 2,891 -

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